If you are an experienced treasury specialist and working in Vienna sounds appealing to you than read on.
The main responsibility would be to set up processes and operations on treasury department, as well as control and analyse cash and liquidity.
Moreover, you would be responsible for reporting and forecasting.
Communication is in English and you would communicate with CFO, Head of Finance and controllers in order to establish effective strategies.
RequirementsRequirements for a suitable candidate:
- Minimum of 10 years of experience within treasury
- Advanced level of English language- level C1 or native
- Experience with implementation of processes within treasury department
- Communication and organization skills
- Analytical thinking